We have decided to issue the "Kyushu Electric Power Co., Ltd. 531st Bond" as follows, so we would like to inform you.
Please note that this bond is targeted at individual investors.
531st Bond | ||||||
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1. Total Issuance Amount | 10 billion yen | |||||
2. Amount of each corporate bond. (Purchase unit) | 0.1 million yen | |||||
3. Interest rate. | 0.90% | |||||
4. Amount of payment. | For each bond amount of 100 yen, gold 100 yen | |||||
5. Yield for applicants. | 0.90% | |||||
6. Recruitment period | From December 2, 2024 to December 19, 2024. | |||||
7. Payment deadline (Issue date) | December 20, 2024. | |||||
8. Redemption deadline | December 24, 2027 (3-year bond: full redemption at maturity). | |||||
9. Interest payment date. | June 25 and December 25 every year. | |||||
10 Use of Funds | Facility funds, borrowed funds repayment, bond repayment funds, and funds lent to Kyushu Electric Power Co., Inc. | |||||
11 Securities Firms | Underwriter
Mizuho Securities Co., Ltd. Daiwa Securities Co., Ltd. Underwriter Mitsubishi UFJ Morgan Stanley Securities Co., Ltd. Underwriter SMBC Nikko Securities Inc. FFG Securities Co., Ltd. Underwriter Okasan Securities Co., Ltd. Nishi-Nihon City TT Securities Co., Ltd. Toyo Securities Co., Ltd. | |||||
12 Credit Rating Acquisition |
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(Note) | This document is for informational purposes only and is not intended to solicit securities. |